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Home Flexible Job Board Office Inspection Analyst

$85,000–95,000/yr 14d ago

Office Inspection Analyst

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Wealth Enhancement Group

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Full-time Permanent Remote

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Summary

The Office Inspection Analyst conducts risk-based onsite and virtual inspections of branch locations to ensure compliance with regulatory requirements and firm policies. They identify compliance risks, document findings, and partner with stakeholders to implement corrective action plans.

Job Description

About Wealth Enhancement

Wealth Enhancement is an independent wealth management firm with an endless passion for enriching the lives of our clients. We continually seek to perfect our craft of personalized financial planning with our team-based Roundtable and UniFi processes that go far beyond the standard approach. We proudly provide unique financial plans and investment management services to over 90,000 households from our over 175 offices - and growing - nationwide.

Since 1997, Wealth Enhancement has tirelessly raised the standard of wealth management with specialized knowledge and more attentive service that helps every client craft their future. For more information, please visit www.wealthenhancement.com.

Our Compliance team has an exciting opportunity for an Office Inspection Analyst! The Office Inspection Analyst is responsible for conducting risk-based office inspections of Registered Investment Advisor (RIA) and Broker-Dealer (BD) branch locations to evaluate compliance with regulatory requirements, firm policies, supervisory procedures, and operational controls. The role performs both onsite and virtual inspections, identifies compliance risks and control deficiencies, documents findings, and partners with advisors and business stakeholders to ensure timely remediation.

This position serves as a key component of the firm's supervisory and compliance framework by helping assess branch-level risks, strengthen internal controls, and support compliance with SEC, FINRA, and state regulatory requirements.

This is a fully remote position with up to 50% travel.

In the spirit of pay transparency, we are excited to share the base salary range for this position is $85,000.00 to $95,000.00, exclusive of bonuses and benefits. This role is eligible for an annual bonus. We encourage you to apply and provide us with your compensation expectations when you do. We’re big on open conversations, so, let’s have one.

Primary Job Functions

Office Inspections

  • Conduct scheduled and risk-based onsite and virtual inspections of RIA and BD branch offices.

  • Review branch operations, books and records, supervision practices, marketing activities, client communications, and physical office controls.

  • Evaluate compliance with SEC, FINRA, firm policies, and Written Supervisory Procedures (WSPs).

  • Review branch personnel activities for adherence to applicable regulatory and firm requirements.

  • Assess office procedures relating to advertising, correspondence, social media, books & records, OBA, PST, gifts & entertainment, and client documentation requirements.

  • Verify required regulatory disclosures, registrations, and licensing requirements are properly maintained.

  • Complete inspection workpapers and supporting documentation in accordance with departmental standards.

Risk Identification & Remediation

  • Identify compliance, supervisory, operational, and reputational risks during inspections.

  • Document inspection findings, observations, and recommendations in a clear and defensible manner.

  • Classify deficiencies according to firm-established risk ratings and escalation requirements.

  • Coordinate with branch management and advisors to develop corrective action plans.

  • Monitor remediation efforts and validate completion of corrective actions.

  • Escalate significant findings, repeat deficiencies, and high-risk concerns to management.

Reporting & Analytics

  • Prepare detailed inspection reports summarizing scope, findings, recommendations, and corrective actions.

  • Track branch inspection metrics, recurring deficiencies, and emerging risk trends.

  • Assist with risk assessments used to determine inspection frequency and scope.

  • Gather and analyze relevant documentation, communications, and transaction history to support findings.

  • Partner with Supervision, Legal, and leadership to assess risk and determine appropriate outcomes.

Education/Qualifications

  • Active series 7, 66, and 24

  • Bachelor's degree or equivalent industry experience.

  • 3+ years of experience in compliance, supervision, branch examinations, regulatory audits, or financial services operations.

  • Strong knowledge of SEC, FINRA, and state regulatory requirements.

  • Experience conducting reviews, audits, inspections, or testing activities.

  • Excellent written and verbal communication skills.

  • Strong organizational, analytical, and investigative skills.

  • Ability to manage multiple projects and deadlines independently.

  • Willingness to travel for onsite branch inspections.

WEG hires employees and makes decisions about their salary qualifications based on factors such as the role to be performed; educational and professional experience, qualifications, skills and credentials; tenure, cost-of-living and demand for the role in the applicable market. To comply with state, pay transparency laws, we must disclose the entire salary grade. The entire salary grade for those who are classified as this level is $79,200.00 to $110,900.00. However, the base salary range bolded above ($85,000.00 to $95,000.00) is what we expect to pay as a starting range for this position.

#LI-Remote

#LI-MR1

Comprehensive Benefits Offerings

Our benefits aim to balance four key elements that make life and work meaningful: health and wellness, financial well-being, professional development, and work/life harmony. You may be eligible to participate in the following benefits & development opportunities:

  • Training and professional development

  • Medical, dental and vision coverage (Available to full-time employees and their families)

  • Health Savings Account (HSA) with employer contribution and Flexible Spending Accounts (FSA) for medical, dependent, and transit expenses

  • Life and AD&D insurance – employer paid and voluntary options

  • Short-term and long-term disability, workers compensation – employer paid

  • 401k with match and profit sharing

  • Wellness programs and resources

  • Voluntary benefits, including pet insurance

  • 18 days of paid time off (PTO), accrued annually (25 PTO days after 4 years of service)

  • 12 paid holidays each year (10 pre-determined and 2 floating days)

  • Paid parental leave and paid caregiver leave (Caregiver leave available after 6 months of tenure)

  • Reimbursement for tuition, licensing, and other credentials (Available after meeting service requirements)

Should you need reasonable accommodation when completing the application form or during the selection process, contact the Human Resources Department at 763-417-1700

Information provided on this application will be kept confidential and only be shared with those involved in the selection process.

Equal Opportunity Employer, including disabled and veterans. This organization participates in E-Verify.

Click the following link to view Federal and E-Verify posters: Link

OSHA Requirements: This position requires the ability to stand or sit for long periods of time, file documents in high or low cabinets, to use the telephone and to use the computer systems.

Wealth Enhancement may use artificial intelligence (AI) tools to assist in the initial screening of resumes. All AI-supported evaluations are reviewed by our recruitment team to ensure accuracy and fairness. We are committed to equal opportunity in employment and do not discriminate based on race, color, religion, sex, national origin, age, disability, or any other protected status. Your personal information is handled in accordance with applicable data protection laws.

About the company

Wealth Enhancement Group

In 1997, four advisors sharing an office space discovered they also shared an essential belief: The financial services industry needed a new and better way to provide advice to clients—one that would help relieve stress from their clients’ financial lives.

They built a firm that would deliver truly comprehensive financial guidance, all under one roof, so that clients wouldn’t have to deal with the hassle of managing multiple financial relationships, making complex decisions, or coordinating disparate accounts.

That idea has evolved into what we call the Roundtable™, our team of specialists and advisors in six core areas of wealth management. We believe that this team, paired with our 3-step UniFi™ process, helps ensure your financial life is organized, comprehensive and straightforward, enabling you to make more confident decisions and be less stressed when it comes to managing your wealth.

Advisory services offered through Wealth Enhancement Advisory Services, LLC, a registered investment advisor and affiliate of Wealth Enhancement Group®.

Company size

1,001-5,000 employees

Industry

Financial Services

Org type

Privately Held

Headquarters

Plymouth, Minnesota

Apply Now

About the company

Wealth Enhancement Group

In 1997, four advisors sharing an office space discovered they also shared an essential belief: The financial services industry needed a new and better way to provide advice to clients—one that would help relieve stress from their clients’ financial lives.

They built a firm that would deliver truly comprehensive financial guidance, all under one roof, so that clients wouldn’t have to deal with the hassle of managing multiple financial relationships, making complex decisions, or coordinating disparate accounts.

That idea has evolved into what we call the Roundtable™, our team of specialists and advisors in six core areas of wealth management. We believe that this team, paired with our 3-step UniFi™ process, helps ensure your financial life is organized, comprehensive and straightforward, enabling you to make more confident decisions and be less stressed when it comes to managing your wealth.

Advisory services offered through Wealth Enhancement Advisory Services, LLC, a registered investment advisor and affiliate of Wealth Enhancement Group®.

Company size

1,001-5,000 employees

Industry

Financial Services

Org type

Privately Held

Headquarters

Plymouth, Minnesota

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